Avon Protection plc(AVNBF) USD 11.09
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20232.77%USD 0.307USD0.3072023-02-09
20223.33%USD 0.369USD0.14432022-08-04
USD0.225132022-02-10
20213.55%USD 0.394USD0.14412021-08-05
USD0.24962021-02-11
20202.69%USD 0.299USD0.11862020-08-06
USD0.182020-02-13
20191.99%USD 0.221USD0.08422019-08-08
USD0.1372019-02-14
20181.52%USD 0.169USD0.05342018-08-09
USD0.11542018-02-15
20171.19%USD 0.132USD0.05332017-08-10
USD0.0792017-02-16
20161.29%USD 0.143USD0.03162016-08-05
USD0.04152016-08-04
USD0.06982016-02-18
20150.86%USD 0.095USD0.03772015-08-06
USD0.05772015-02-19
20140.72%USD 0.08USD0.03152014-08-06
USD0.04812014-02-19
20130.44%USD 0.049USD0.02232013-08-07
USD0.026672013-02-13
20120.17%USD 0.019USD0.01882012-08-08